QCD uses an active, rules-based investment strategy to build its portfolio. The fund evaluates securities of large-, mid- and small-cap Canadian companies using a quantitative model that identifies growth, value, quality and risk characteristics. A minimum variance approach is also utilized to minimize portfolio volatility. After selecting its portfolio holdings, QCD incorporates country, industry, group, sector and individual security constraints to achieve portfolio diversification, liquidity and risk mitigation. The portfolio is reconstituted and rebalanced on a monthly basis. Investors should note that frequent buying and selling of securities could lead to a high portfolio turnover.
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Company Data
NameAGFiQ Canadian Equity ETF
CompanyAGFiQ Canadian Equity ETF
Primary Exchange
TSX
ISINCA00848G1000
Asset ClassETF
SectorFinancial Services
IndustryAsset Management
CountryCanada
CurrencyCAD
Employees-
IPO Date2017-01-31
Ticker Symbols
Name
Symbol
TSX
QCD.TO
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